National Fuel Gas Company

NYSE:NFG

81.83 (USD) • At close June 4, 2025
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 77.513476.866566.021363.647-123.772304.29391.521283.482-290.958-379.427299.413260.001220.077258.402219.133100.708268.728337.455138.091189.488166.586178.944117.68265.499127.20711532.3114.7104.775.982.4
Afschrijvingen & Amortisatie 457.026409.573369.79360.389755.596275.66240.961224.195249.417336.158383.781326.76271.53226.527178.701173.41170.623170.803179.615193.14400000000000
Uitgestelde Inkomstenbelasting -2.61151.403104.415105.99354.313122.265-18.153117.975-246.794-357.587142.415167.887144.15164.251134.679-2.52172.49652.847-5.2340.38840.32978.36962.013-55.84941.85814-26.23.83.98.54.9
Aandelen Gebaseerde Vergoedingen 22.0820.6319.50617.06514.93121.18615.76212.2625.7553.20811.76312.446-0.9851.2240.013-5.927-16.275-13.689-6.515000000000000
Verandering in Werkkapitaal -31.588158.956-247.925-82.15233.214-37.526-30.92130.118-97.14123.18562.596-42.81232.95862.11-78.385142.17-19.631-6.37954.804-91.10932.336-79.83-40.91340.904-78.9134.53.156.6-42.71731.5
Vorderingen 34.369213.5790006.37900051.63812.408013.8593.88710.262161.3540018.00904.840000000000
Voorraden 1.73803.1090000003.43813.28505.40506.54681.306001.6791.93413.662-12.4218.717-37.054-13.707-7.8-1.37.3-6.35.7-15.5
Crediteuren -10.68321.50512.30520.5852.114-24.7721.356-2.345-77.90557.7236.0661.167-10.55137.032-59.62241.87625.107-26.002-0.367000000000000
Overig Werkkapitaal -57.012-76.128-263.339-102.73731.1-19.135-52.27732.463-19.23510.3890.837-43.97924.24521.191-35.571-142.366-44.73819.62335.483-93.04313.834-67.409-49.6377.958-65.20612.34.449.3-36.411.347
Overige Niet-Contante Posten 543.5419.6470.71426.6116.5278.60816.13316.476968.6991,128.0439.42214.29-6.943-33.8385.554201.5926.835-146.84110.635-14.565197.898149.354206.768363.59148.094138.4243.8119.6102.672.180.4
Kasstroom uit Operationele Activiteiten 1,065.9611,237.075812.521791.553740.809694.483615.303684.508588.979853.58909.39738.572660.787678.676459.695609.432482.776394.197471.4317.346437.149326.837345.55414.144238.246271.9253294.7168.5173.5199.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -931.236-1,009.868-811.826-751.734-1,222.411-788.938-584.004-450.335-581.576-1,018.179-914.417-703.461-1,036.784-837.612-455.764-309.93-397.734-276.728-294.159-219.53-172.341-152.251-232.368-292.706-269.371-260.5-393.2-214-171.6-182.8-135.1
Netto Overnames 000000000000059.36553.77-31.290232.0920000000000000
Aankoop van Beleggingen 000000000000000-1.317000000000000000
Verkoop/verval van Beleggingen 010300000000000000000000000000000
Overige Investeringsactiviteiten -2.669-112.479263.122118.517-1.205-10.23755.11727.77128.08-6.6115.982-2.5220.44659.203-0.251-4.80668.742-57.136-3.217116.2069.13647.42126.544-95.337-114.968-2.7-109.9-19.6-1.310.63.6
Kasstroom uit Investeringsactiviteiten -933.905-1,112.347-518.704-633.217-1,223.616-799.175-528.887-422.565-453.496-1,024.79-908.435-705.983-1,036.338-719.044-402.245-347.343-328.992-101.772-297.376-103.324-163.205-104.83-205.824-388.043-384.339-263.2-503.1-233.6-172.9-172.2-131.5
Financieringsactiviteiten:
Schuldaflossingen 102.559-24.1940-20.448467.8070-271.492295.1510359.03585.674.415477.085-1600147.7896.631-119.576-9.805-128.676-204.485-126.935-85.21343.772208.38551.6324.2-9.163.338.2-4.2
Uitgifte van Gewone Aandelen 0000004.117.78413.84910.547.47400026.05728.17617.43217.49823.33920.27923.76317.01910.91511.54514.27810.77.97.192.69.1
Terugkoop van Gewone Aandelen -68.042-6.709-9.59-3.702161.603-8.877000005.39510.345-0.59200-237.006-48.070000-80.97400000000
Uitgekeerde Dividenden -183.798-176.096-168.147-163.089-153.322-147.418-143.258-139.063-134.824-130.719-126.642-122.71-118.798-114.559-109.596-104.158-103.683-100.632-98.266-94.159-89.092-84.530-76.671-73.046-70.1-67.2-64.3-61.2-59.2-57.2
Overige Financieringsactiviteiten 00-98.5128.5055.2001.8689.0644.6410.6750.985-1.22413.2075.92716.27513.689-78.653-12.6760000-0.152000-0.10.90
Kasstroom uit Financieringsactiviteiten -149.281-206.999-276.237-58.739476.088-101.095-410.64163.872-119.107247.92-28.927-42.225369.617-276.375-70.33277.725-210.351-237.091-163.385-215.232-269.814-194.446-155.272-21.354149.465-7.8264.9-66.311-17.5-52.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000-0.1391.3651.2763.4511.6441.535-0.645-0.469-2.11.6-0.1000
Netto Kasstroomverandering -17.225-82.27117.5899.597-6.719-205.787-324.224427.29916.37676.71-27.972-9.636-5.934-316.743-12.882339.814-56.56755.19512.0040.06614.73229.205-14.0114.1022.903-1.216.4-5.36.6-16.215.4
Kaspositie aan het Einde van de Periode 38.22255.447137.718120.13820.54127.26233.047557.271129.972113.59636.88664.85874.49480.428395.171408.05368.239124.80669.61157.60757.54151.42122.21636.22732.12529.230.41419.312.829